(Q3)Sep 30, 2024 | (Q2)Jun 30, 2024 | (Q1)Mar 31, 2024 | (FY)Dec 31, 2023 | (Q4)Dec 31, 2023 | (Q3)Sep 30, 2023 | (Q2)Jun 30, 2023 | (Q1)Mar 31, 2023 | (FY)Dec 31, 2022 | (Q4)Dec 31, 2022 | |
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Operating Cash Flow (Indirect Method) | ||||||||||
Cash flow from continuing operating activities | -44.74%124.77M | 64.69%45.79M | 54.33%247.18M | 531.49%619.53M | -32.30%205.79M | -4.38%225.78M | 117.62%27.8M | 156.35%160.16M | -40.07%98.11M | 7.99%303.99M |
Net income from continuing operations | -3.38%58.21M | 8.65%87.44M | 34.13%67.03M | 0.25%281.31M | 16.95%90.61M | 5.11%60.25M | -9.76%80.48M | -11.76%49.97M | 27.93%280.61M | 24.70%77.48M |
Depreciation and amortization | 66.60%25.91M | 69.59%24.57M | 49.26%21.89M | 10.35%62.48M | 23.37%17.78M | 0.75%15.55M | 7.66%14.49M | 10.13%14.66M | 2.15%56.61M | 8.59%14.41M |
Deferred tax | 353.82%19.88M | -70.91%888K | -3.24%-4.42M | -41.39%-13.08M | -8.68%-4.02M | -57.28%-7.83M | 167.81%3.05M | -149.80%-4.28M | -178.01%-9.25M | -143.58%-3.7M |
Other non cash items | -393.06%-7.81M | -590.80%-25.6M | 10.79%3.7M | -59.62%3.29M | -57.03%994K | 255.67%2.66M | -204.07%-3.71M | 119.84%3.34M | -40.22%8.14M | -59.80%2.31M |
Change In working capital | -87.82%17.59M | 28.46%-55.36M | 67.67%147.71M | 193.60%249.71M | -53.99%94.56M | -9.70%144.44M | 71.58%-77.38M | 124.47%88.09M | -64.08%-266.78M | 10.78%205.53M |
-Change in receivables | -76.26%114.14M | -10.01%-591.69M | -208.60%-199.31M | 64.23%-152.58M | -41.97%-278.95M | -4.80%480.71M | 14.85%-537.87M | 277.62%183.53M | -51.25%-426.54M | -0.17%-196.49M |
-Change in inventory | -109.85%-5.96M | 41.35%22.25M | 1,157.16%12.12M | 40.99%75.73M | -99.43%605K | 1,045.28%60.53M | 1,378.12%15.74M | 98.02%-1.15M | 136.06%53.71M | 273.02%105.24M |
-Change in payables and accrued expense | 65.37%-156.31M | 11.09%539.35M | 521.17%361.72M | 404.14%292.5M | 47.22%344.24M | -15.99%-451.34M | 16.63%485.49M | 57.68%-85.88M | -80.23%58.02M | -47.66%233.83M |
-Change in other current assets | 20.48%65.71M | 37.99%-25.27M | -219.11%-26.82M | -29.08%34.06M | -54.46%28.67M | 40.30%54.54M | 29.64%-40.75M | -304.45%-8.41M | 291.39%48.03M | 1,581.55%62.95M |
Cash from discontinued investing activities | ||||||||||
Operating cash flow | -44.74%124.77M | 64.69%45.79M | 54.33%247.18M | 531.49%619.53M | -32.30%205.79M | -4.38%225.78M | 117.62%27.8M | 156.35%160.16M | -40.07%98.11M | 7.99%303.99M |
Investing cash flow | ||||||||||
Cash flow from continuing investing activities | 90.05%-9.82M | -2,486.95%-272.57M | 28.82%-6.48M | -266.51%-505.2M | -3,411.48%-408.77M | -719.72%-98.74M | 112.92%11.42M | 64.63%-9.11M | -554.08%-137.84M | 47.76%-11.64M |
Net PPE purchase and sale | 13.49%-13.73M | -196.92%-12.16M | 28.82%-6.48M | 44.67%-39.25M | 12.74%-10.18M | -32.08%-15.87M | 80.96%-4.1M | 64.63%-9.11M | -36.21%-70.94M | 51.52%-11.67M |
Net business purchase and sale | 92.91%-5.87M | ---- | ---- | -605.46%-481.46M | ---398.59M | ---82.88M | ---- | ---- | ---68.25M | --0 |
Net other investing changes | --9.78M | ---- | ---- | 1,052.67%15.52M | --0 | --0 | ---- | ---- | -95.66%1.35M | -98.43%28K |
Cash from discontinued investing activities | ||||||||||
Investing cash flow | 90.05%-9.82M | -2,486.95%-272.57M | 28.82%-6.48M | -266.51%-505.2M | -3,411.48%-408.77M | -719.72%-98.74M | 112.92%11.42M | 64.63%-9.11M | -554.08%-137.84M | 47.76%-11.64M |
Financing cash flow | ||||||||||
Cash flow from continuing financing activities | 16.99%-61.9M | 612.84%104.64M | 10.94%-125.27M | -114.66%-16.71M | 183.08%218.92M | 66.25%-74.57M | -107.33%-20.41M | -143.96%-140.65M | 170.64%114.01M | -1.16%-263.5M |
Net issuance payments of debt | 239.31%103.25M | -45.56%108.74M | 52.29%-59.07M | -3.06%229.15M | 227.05%227.31M | 70.61%-74.12M | -42.51%199.75M | -138.69%-123.79M | 333.23%236.4M | 31.13%-178.92M |
Net common stock issuance | ---165.02M | --0 | 70.12%-35M | -101.17%-217.11M | --0 | --0 | ---99.98M | ---117.13M | -115.84%-107.92M | ---82.91M |
Net other financing activities | 70.64%-133K | 96.59%-4.1M | -131.12%-31.2M | -98.78%-28.76M | -403.24%-8.39M | -100.81%-453K | -74.14%-120.18M | 218,076.09%100.27M | -44.23%-14.47M | -138.29%-1.67M |
Cash from discontinued financing activities | ||||||||||
Financing cash flow | 16.99%-61.9M | 612.84%104.64M | 10.94%-125.27M | -114.66%-16.71M | 183.08%218.92M | 66.25%-74.57M | -107.33%-20.41M | -143.96%-140.65M | 170.64%114.01M | -1.16%-263.5M |
Net cash flow | ||||||||||
Beginning cash position | 30.49%258.35M | 114.40%381.14M | 63.40%270.79M | 56.37%165.72M | 77.61%246.33M | 41.78%197.98M | 52.05%177.77M | 56.37%165.72M | -18.84%105.98M | 26.66%138.69M |
Current changes in cash | 1.10%53.05M | -749.18%-122.14M | 1,009.90%115.43M | 31.43%97.62M | -44.77%15.93M | 1,564.13%52.47M | -41.75%18.81M | 4.31%10.4M | 496.16%74.27M | 2,386.21%28.85M |
Effect of exchange rate changes | 303.39%8.39M | -146.78%-654K | -407.14%-5.07M | 151.26%7.45M | 568.04%8.52M | -0.49%-4.12M | 114.60%1.4M | 70.49%1.65M | -148.10%-14.53M | 19.28%-1.82M |
End cash Position | 29.82%319.79M | 30.49%258.35M | 114.40%381.14M | 63.40%270.79M | 63.40%270.79M | 77.61%246.33M | 41.78%197.98M | 52.05%177.77M | 56.37%165.72M | 56.37%165.72M |
Free cash flow | -47.10%111.04M | 41.85%33.62M | 59.35%240.7M | 2,035.97%580.28M | -33.09%195.61M | -6.33%209.91M | 113.22%23.7M | 148.73%151.05M | -75.66%27.17M | 13.55%292.32M |
Currency Unit | USD | USD | USD | USD | USD | USD | USD | USD | USD | USD |
Accounting Standards | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP | US-GAAP |
Audit Opinions | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- | -- | -- | -- | Unqualified Opinion with Explanatory Notes | -- |
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